Our Services

What We Offer

Portfolio Risk Identification and Mitigation

We offer portfolio risk analysis using complex econometric models to gauge the maximum loss of a portfolio and display results to users, with recommendations to mitigate any substantial risks.

Financial Recommendations

We recommend the best possible securities, across 5 global markets and every asset class, using our proprietary algorithm directly to our users with a hit rate of over 98 percent.

Market Mood Analysis

We quantify emotions in the market and use complex mathematical tools in the background to retrieve immensely profitable securities in a matter of minutes, through proprietary deep-learning models and natural language processing methods.

Instant Predictive Analysis for any stock in the world

Our blended mathematical models use deep-learning and emotion-quantifying algorithms to scrutinise any stock or index that our users would like to invest in or even just look at, by predicting the exact target levels for those respective instruments and providing a summary of investor sentiment.

Our Results over the Testing Period

Return on Equity

78 percent

Return on Derivatives

770 percent

Average Accuracy

98.64 percent